Strategy & Portfolio
Capital deployment, lifecycle and value creation
Build a minority-stakes portfolio within three years and scale aggregate valuation toward a €1B target exit value through institutional stability and technology-driven multiple expansion.
Fund Strategy & Target Outcome
€100M
Target Fund Size
3 Years
Deployment
5–7 Years
Investment Horizon
5–10×
Target Return Multiple
Capital deployed
€100M
Target exit value
€1B
Years
Sports as an Institutional Asset Class
Scarcity and contracted revenues create durable long-term appreciation.
- ScarcityLimited supply of premium assets.
- PredictabilityContracted revenue streams.
- AppreciationHistorical outperformance.
Portfolio Construction
Balanced allocation between stable assets and high-growth upside. Hover any segment to inspect.
100%
Allocation
- Core Sports Assets35–40%
- AI, IT & Sports Tech25–30%
- Media, Rights & Monetization10–15%
- iGaming & Online Betting5–10%
- Performance & Infrastructure5–10%
- Strategic Growth & Emerging5–10%
Investment Lifecycle
Value creation approach from acquisition through exit.
Phase 01
5×
Entry
- Governance rights
- Minority stakes
- Special situations
3-year deployment period
Phase 02
7×
Value Creation
- Operational improvements
- Technology integration
- Revenue growth
5-year average horizon
Phase 03
10×
Exit
- Strategic buyers
- Secondary PE, SWFs
- IPO, buy-back
5–7 years holding period
Geographic Allocation
Deployment prioritizes mature ecosystems with selective access to growth regions.
Primary Markets
60–70%
USUKSpainGermanyFrance
Growth Markets
20–30%
Middle EastAfricaBrazil
Opportunistic
≤10%
Eastern EuropeScandinavia